弘信电子: 关于前期会计差错更正暨追溯调整的公告

来源:证券之星 2023-04-27 00:00:00
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证券代码:300657          证券简称:弘信电子             公告编号:2023-29
            厦门弘信电子科技集团股份有限公司
   本公司及董事会全体成员保证信息披露的内容真实、准确和完整,没有虚假
记载、误导性陈述或重大遗漏。
   厦门弘信电子科技集团股份有限公司(以下简称“公司”)于 2023 年 4 月
正暨追溯调整的议案》,同意公司按照《企业会计准则第 28 号—会计政策、会
计估计变更和差错更正》、中国证券监督管理委员会《公开发行证券的公司信息
披露编报规则第 19 号—财务信息的更正及相关披露》等有关规定,对公司前期
会计差错进行更正,具体情况如下:
  一、前期会计差错更正的原因
  公司于近日收到中国证券监督管理委员会厦门监管局出具的《关于对厦门弘
信电子科技集团股份有限公司、弘信创业工场投资集团股份有限公司、李强、王
毅、李奎、孔志宾、张晓闯、宋钦采取出具警示函措施的决定》([2023]16 号),
根据厦门证监局对公司的现场检查情况和公司对内部管理涉及业务的相关事项
进行的内部核查,发现往期披露的财务报告存在会计差错,公司根据一贯执行政
策及方法进行追溯调整。本次会计差错更正,对公司 2017 年度、2018 年度、2019
年度、2020 年度、2021 年度及 2022 年第三季度归属于上市公司股东的净利润的
影响分别为 49.58 万元、11.99 万元、-213.36 万元、-1,298.30 万元、-388.74 万
元、833.38 万元,占当年归属上市公司股东净利润 0.69%、0.10%、1.18%、14.35%、
  公司根据《企业会计准则第 28 号—会计政策、会计估计变更和差错更正》、
中国证券监督管理委员会《公开发行证券的公司信息披露编报规则第 19 号—财
务信息的更正及相关披露》等有关规定,对公司 2017 年年度报告、2018 年年度
报告、2019 年年度报告、2020 年年度报告、2021 年年度报告及 2022 年第三季
度报告的会计差错进行更正,并对相关会计期间的财务数据进行调整。
   本次调整后不会导致公司已披露的相关报表出现盈亏性质的改变。
   二、前期会计差错更正事项内容及对公司的影响
  (一)本次对涉及的前期差错采用追溯重述法进行更正
   公司及子公司存在部分工程及设备签订的合同造价金额高于实际造价,导致
资产入账金额不准确。公司 2018 年度会计差错更正如下:其他应收款调增
累计折旧调减 67,888.26 元、未分配利润调增 82,835.90 元、少数股东权益调减
年度会计差错更正如下:其他应收款调增 22,436,263.63 元、固定资产调减
累计折旧调减 539,058.79 元、未分配利润调增 553,339.35 元、少数股东权益调减
年度会计差错更正如下:其他应收款调增 69,480,917.42 元、固定资产调减
累计折旧调减 2,621,768.77 元、未分配利润调增 2,442,581.29 元、少数股东权益
调增 179,187.48 元、营业成本调减 2,082,709.98 元、净利润调增 2,082,709.98 元;
公司 2021 年度会计差错更正如下:其他应收款调增 98,844,253.00 元、固定资产
调减 79,482,450.10 元、在建工程调减 10,900,000.00 元、其他流动资产调减
配利润调增 5,956,978.30 元、少数股东权益调增 706,262.92 元、营业成本调减
正如下:其他应收款调增 99,826,911.95 元、固定资产调减 79,482,450.1 元、预付
账款调减 10,900,000.00 元、应交税费调增 8,542,939.90 元、累计折旧调减
   公司及子公司存在部分销售废品收入和费用支出未入账。公司 2017 年度会
计差错更正如下:其他应收款调增 936,054.00 元,应交税费调增 221,767.23 元、
未分配利润调增 714,286.77 元、营业收入调增 1,304,513.14 元、管理费用调增
度 会 计 差 错 更 正 如 下 : 其 他 应 收 款 调 增 4,429,485.84 元 , 应 交 税 费 调 增
元、管理费用调增 8,127,433.00 元、财务费用调增 492,546.14 元、净利润调增
元、应交税费调增 3,122,047.29 元、未分配利润调增 95,380.44 元、营业收入调
增 9,457,421.14 元、管理费用调增 11,029,772.14 元、财务费用调增 869,171.86
元、净利润调减 2,441,522.86 元;公司 2020 年度会计差错更正如下:其他应收
款 调增 1,879,544.10 元 、应交税费 调增 4,141,171.91 元、 其他 应付款调增
管理费用调增 1,0051,709.17 元、财务费用调增 324,719.26 元、净利润调减
元、应交税费调增 5,090,697.84 元、其他应付款调增 600,000.00 元、未分配利润
调减 11,830,573.50 元、
                  营业收入调增 7,304,045.58 元、管理费用调增 16,628,462.00
元、财务费用调增 64,529.26 元、净利润调减 9,388,945.68 元;公司 2022 年第三
季度会计差错更正如下:其他应收款调 减 3,033,380.22 元、应交税费调增
元、营业收入调增 4,176,424.37 元、管理费用调增 1,614,501.00 元、财务费用调
减 1,636.90 元、净利润调增 2,563,560.27 元;
  (1)研发费用核算不准确。
   公司子公司存在领用非研发材料但错误计入研发费用的情况。公司 2020 年
度会计差错更正如下:研发费用调减 4,887,049.68 元,营业成本调增 4,887,049.68
元;公司 2021 年度会计差错更正如下:研发费用调减 1,853,704.12 元,营业成
本调增 1,853,704.12 元;
  (2)政府补助核算不准确
   公司及子公司于 2020 年度收到厦门火炬高技术产业开发区管理委员会技改
项目补助,属于与资产相关的政府补助,但报表将其列示为与收益相关的政府补
助并全额计入当期损益,导致核算不准确。公司 2020 年度会计差错更正如下:
其他收益调减 9,687,049.59 元、净利润调减 9,687,049.59 元、递延收益调增
如下:其他收益调增 1,093,548.70 元、净利润调增 1,093,548.70 元、递延收益调
增 8,593,500.89 元、未分配利润调减 8,593,500.89 元;公司 2022 年第三季度会计
差错更正如下:其他收益调增 1,093,548.70 元、净利润调增 1,093,548.70 元、递
延收益调增 7,499,952.19 元、未分配利润调减 7,499,952.19 元。
  (3)预付款项核算有误
   公司子公司的预付款中有 864,809.87 元待摊费用,均为代垫搬迁费用,在合
并层面应调整计入损益。公司多记预付款项 864,809.87 元,少记其他业务成本
净利润调减 864,809.87 元、预付账款调减 864,809.87 元、未分配利润调减
元、未分配利润调减 864,809.87 元。
  (1)存货跌价计提不充分
   公司子公司厦门弘汉光电科技有限公司 2019 年未单独考虑 1 年以内不良品
的存货跌价情况,2020 年存货跌价准备计提比例不足,导致存货跌价计提不充
分。公司 2019 年度会计差错更正如下:资产减值损失调增 3,032,956.32 元、净
利润调减 3,032,956.32 元、存货跌价准备调增 3,032,956.32 元、未分配利润调减
元、净利润调减 715,380.55 元、存货跌价准备调增 3,748,336.87 元、未分配利润
调减 3,748,336.87 元;公司 2021 年度会计差错更正如下:资产减值损失调减
  (2)业绩补偿款核算有误
   由于公司子公司厦门弘汉光电科技有限公司在 2017-2019 年核算不准确导致
对赌业绩补偿款核算出现错误。公司 2019 年度会计差错更正如下:其他应收款
调增 3,953,573.76 元、未分配利润调增 3,953,573.76 元、投资收益调增 3,953,573.76
元、净利润调增 3,953,573.76 元;公司 2020 年度会计差错更正如下:其他应收
款调增 3,953,573.76 元、未分配利润调增 3,953,573.76 元;公司 2021 年度会计差
错更正如下:其他应收款调增 3,953,573.76 元、未分配利润调增 3,953,573.76 元;
公司 2022 年第三季度会计差错更正如下:其他应收款调增 3,953,573.76 元、未
分配利润调增 3,953,573.76 元。
   公司及子公司支付的部分工程款项、设备款项,最终流向公司关联方控股股
东弘信创业工场投资集团股份有限公司及其关联方,上述情形构成控股股东非经
营性资金占用,截至 2022 年 12 月 15 日占用金额 3,576.61 万元。截至 2022 年
   公司 2017 年度会计差错更正如下:税金及附加调增 26,846.88 元、所得税调
增 191,660.38 元、净利润调减 218,507.26 元、应交税费调增 218,507.26 元、未分
配利润调减 218,507.26 元;公司 2018 年度会计差错更正如下:税金及附加调增
税费调增 2,004,084.40 元、未分配利润调减 2,004,084.40 元;公司 2019 年度会计
差错更正如下:税金及附加调增 206,682.68 元、所得税调增 876,508.88 元、净利
润 调 减 1,083,191.56 元 、应交税费 调增 3,087,275.96 元、未分 配利润调减
元、所得税调增 1,265,601.06 元、净利润调减 1,932,815.28 元、应交税费调增
如下:税金及附加调增 390,780.79 元、所得税调增 1,761,944.97 元、净利润调减
元、未分配利润调减 7,172,817.01 元;公司 2022 年第三季度会计差错更正如下:
税 金 及 附 加 调 增 75,478.14 元 、 净 利 润 调 减 75,478.14 元 、 应 交 税 费 调 增
  (二)上述更正对 2017 年度财务报表影响
                                                           单位:元
        项   目       调整前金额            调整金额             调整后金额
其他应收款                10,266,559.43    936,054.00       11,202,613.43
流动资产合计              859,526,294.26    936,054.00      860,462,348.26
资产总计              1,671,906,434.25    936,054.00    1,672,842,488.25
应交税费                 23,190,918.96    440,274.50       23,631,193.46
流动负债合计              995,971,424.70    440,274.50      996,411,699.20
负债合计              1,158,170,531.80    440,274.50    1,158,610,806.30
未分配利润               203,996,720.06    495,779.50      204,492,499.56
归属于母公司所有者权益合计       512,849,408.44    495,779.50      513,345,187.94
所有者权益合计             513,735,902.45    495,779.50      514,231,681.95
负债和所有者权益总计        1,671,906,434.25    936,054.00    1,672,842,488.25
                                                           单位:元
        项   目      调整前金额             调整金额             调整后金额
营业总收入             1,477,512,181.74   1,304,513.14   1,478,816,694.88
  其中:营业收入         1,477,512,181.74   1,304,513.14   1,478,816,694.88
营业总成本             1,455,263,484.44    617,073.25    1,455,880,557.69
 税金及附加               8,917,529.81      26,846.88       8,944,376.69
 管理费用               36,458,501.30     590,296.00      37,048,797.30
 财务费用               35,548,242.53          -69.63     35,548,172.90
营业利润(亏损以“-”号填列)     96,401,092.26     687,439.89      97,088,532.15
利润总额(亏损总额以“-”号填
列)
所得税费用               12,698,798.38     191,660.38      12,890,458.76
净利润(净亏损以“-”号填列)     81,192,717.33     495,779.50      81,688,496.83
归属于母公司所有者的净利润
(净亏损以“-”号填列)
                                                           单位:元
        项   目      调整前金额             调整金额            调整后金额
  其他应收款            108,279,989.27     843,854.00     109,123,843.27
流动资产合计             595,284,883.37     843,854.00     596,128,737.37
资产总计              1,536,102,923.52    843,854.00    1,536,946,777.52
  应交税费               1,204,448.76     413,678.89       1,618,127.65
流动负债合计             743,184,414.42     413,678.89     743,598,093.31
负债合计               889,762,413.70     413,678.89     890,176,092.59
  未分配利润            170,164,866.46     430,175.11     170,595,041.57
归属于母公司所有者权益合计      646,340,509.82     430,175.11     646,770,684.93
所有者权益合计            646,340,509.82     430,175.11     646,770,684.93
负债和所有者权益总计        1,536,102,923.52    843,854.00    1,536,946,777.52
                                                           单位:元
       项    目      调整前金额             调整金额            调整后金额
营业总收入              938,295,520.51    1,225,709.72     939,521,230.23
  其中:营业收入          938,295,520.51    1,225,709.72     939,521,230.23
营业总成本              913,200,726.46     615,451.48      913,816,177.94
  税金及附加               6,753,942.78     25,225.11        6,779,167.89
  管理费用               27,087,859.73    590,296.00       27,678,155.73
  财务费用               28,914,990.00         -69.63      28,914,920.37
营业利润(亏损以“-”号填列)      35,723,946.82    610,258.24       36,334,205.06
利润总额(亏损总额以“-”号填
列)
  所得税费用               2,624,285.43    180,083.14        2,804,368.57
净利润(净亏损以“-”号填列)      30,925,032.67    430,175.11       31,355,207.78
归属于母公司所有者的净利润
(净亏损以“-”号填列)
(三)上述更正对 2018 年度财务报表影响
                                                         单位:元
        项   目     调整前金额             调整金额            调整后金额
其他应收款            154,974,874.64    11,612,349.48    166,587,224.12
流动资产合计          1,476,064,648.63   11,612,349.48   1,487,676,998.11
固定资产             776,399,746.11    -6,083,483.22    770,316,262.89
非流动资产合计          937,547,265.81    -6,083,483.22    931,463,782.59
资产总计            2,413,611,914.44    5,528,866.26   2,419,140,780.70
应交税费              12,378,459.77     4,928,159.10      17,306,618.87
流动负债合计          1,531,661,145.91    4,928,159.10   1,536,589,305.01
负债合计            1,826,959,643.46    4,928,159.10   1,831,887,802.56
未分配利润            282,702,928.42      615,654.80     283,318,583.22
归属于母公司所有者权益合计    596,510,957.56      615,654.80     597,126,612.36
少数股东权益             -9,858,686.58      -14,947.64      -9,873,634.22
所有者权益合计          586,652,270.98      600,707.16     587,252,978.14
负债和所有者权益总计      2,413,611,914.44    5,528,866.26   2,419,140,780.70
                                                         单位:元
        项   目     调整前金额             调整金额            调整后金额
营业总收入           2,248,872,487.39   10,442,595.67   2,259,315,083.06
其中:营业收入         2,248,872,487.39   10,442,595.67   2,259,315,083.06
营业总成本           2,189,142,628.59    8,877,140.20   2,198,019,768.79
其中:营业成本         1,987,204,449.70      -67,888.26   1,987,136,561.44
 税金及附加             7,526,238.54      325,049.32       7,851,287.86
 管理费用             44,856,068.57     8,127,433.00     52,983,501.57
  财务费用               38,010,179.75      492,546.14     38,502,725.89
营业利润(亏损以“-”号填列)    130,338,775.48     1,565,455.47    131,904,230.95
利润总额(亏损总额以“-”号填
列)
所得税费用                18,147,024.85    1,460,527.82     19,607,552.67
净利润(净亏损以“-”号填列)    106,323,495.53       104,927.66    106,428,423.19
归属于母公司所有者的净利润
(净亏损以“-”号填列)
少数股东损益(净亏损以“-”号
                    -11,620,180.59      -14,947.64    -11,635,128.23
填列)
                                                           单位:元
        项   目       调整前金额             调整金额            调整后金额
  其他应收款            184,292,532.96    10,500,702.84    194,793,235.80
流动资产合计             898,289,880.39    10,500,702.84    908,790,583.23
  固定资产             626,767,493.35    -6,083,483.22    620,684,010.13
非流动资产合计           1,082,798,736.75   -6,083,483.22   1,076,715,253.53
资产总计              1,981,088,617.14    4,417,219.62   1,985,505,836.76
  应交税费               1,208,952.76     4,279,286.86      5,488,239.62
流动负债合计            1,190,808,041.91    4,279,286.86   1,195,087,328.77
负债合计              1,330,255,556.68    4,279,286.86   1,334,534,843.54
  未分配利润            169,702,076.34      137,932.77     169,840,009.11
归属于母公司所有者权益合计      650,833,060.46      137,932.77     650,970,993.23
所有者权益合计            650,833,060.46      137,932.77     650,970,993.23
负债和所有者权益总计        1,981,088,617.14    4,417,219.62   1,985,505,836.76
                                                           单位:元
       项    目       调整前金额             调整金额            调整后金额
营业总收入             1,391,077,433.53    9,793,386.19   1,400,870,819.72
  其中:营业收入         1,391,077,433.53    9,793,386.19   1,400,870,819.72
营业总成本             1,359,171,613.73    8,720,594.88    1,367,892,208.61
  其中:营业成本         1,230,515,016.44      -67,888.26    1,230,447,128.18
  税金及附加               4,519,479.78     268,504.00         4,787,983.78
  管理费用               31,775,435.03    8,027,433.00       39,802,868.03
  财务费用               29,074,947.99     492,546.14        29,567,494.13
营业利润(亏损以“-”号填列)      42,387,887.33    1,072,791.31       43,460,678.64
利润总额(亏损总额以“-”号填
列)
  所得税费用               1,598,065.77    1,365,033.65        2,963,099.42
净利润(净亏损以“-”号填列)      38,774,677.64     -292,242.34       38,482,435.30
归属于母公司所有者的净利润
(净亏损以“-”号填列)
 (四)上述更正对 2019 年度财务报表影响
                                                            单位:元
        项   目       调整前金额             调整金额             调整后金额
  其他应收款             14,205,718.48    29,607,265.13      43,812,983.61
  存货               263,227,607.66     -3,032,956.32    260,194,651.34
流动资产合计            2,354,863,396.18   26,574,308.80    2,381,437,704.98
  固定资产             824,647,825.53     -9,464,879.05    815,182,946.48
  在建工程             159,004,658.84    -10,900,000.00    148,104,658.84
非流动资产合计           1,151,011,053.65   -20,364,879.05   1,130,646,174.60
资产总计              3,505,874,449.83    6,209,429.75    3,512,083,879.58
  应交税费              23,658,813.29     7,741,649.04      31,400,462.33
流动负债合计            1,786,932,238.96    7,741,649.04    1,794,673,888.00
负债合计              2,007,955,227.11    7,741,649.04    2,015,696,876.15
  未分配利润            427,190,734.18     -1,517,938.74    425,672,795.44
归属于母公司所有者权益合计     1,414,329,800.23    -1,517,938.74   1,412,811,861.49
  少数股东权益            83,589,422.49      -14,280.56      83,575,141.93
所有者权益合计           1,497,919,222.72   -1,532,219.29   1,496,387,003.43
负债和所有者权益总计        3,505,874,449.83   6,209,429.75    3,512,083,879.58
                                                           单位:元
        项   目       调整前金额            调整金额             调整后金额
营业总收入             2,460,180,588.32    9,457,421.14   2,469,638,009.46
  其中:营业收入         2,460,180,588.32    9,457,421.14   2,469,638,009.46
营业总成本             2,318,048,629.62   11,634,456.14   2,329,683,085.76
  其中:营业成本         2,080,293,833.95     -471,170.53   2,079,822,663.42
  税金及附加              10,020,194.47      206,682.68     10,226,877.15
  管理费用               62,002,003.18   11,029,772.14     73,031,775.32
  财务费用               33,584,729.07      869,171.86     34,453,900.93
  投资收益(损失以“-”号填
                     -4,873,886.94    3,953,573.76       -920,313.18
列)
  资产减值损失(损失以“-”
                     -6,840,137.46   -3,032,956.32      -9,873,093.78
号填列)
营业利润(亏损以“-”号填列)    229,933,893.20    -1,256,417.57    228,677,475.63
利润总额(亏损总额以“-”号填
列)
  所得税费用              55,974,893.94      876,508.89     56,851,402.83
净利润(净亏损以“-”号填列)    171,427,504.13    -2,132,926.45    169,294,577.68
归属于母公司所有者的净利润
(净亏损以“-”号填列)
少数股东损益(净亏损以“-”号
                     -8,952,988.31          667.08      -8,952,321.23
填列)
                                                           单位:元
        项   目       调整前金额             调整金额            调整后金额
  其他应收款               8,471,117.07   18,358,978.89      26,830,095.96
流动资产合计            1,439,429,595.20   18,358,978.89   1,457,788,574.09
  固定资产              625,085,601.71   -9,464,879.05     615,620,722.66
非流动资产合计           1,414,668,333.80   -9,464,879.05   1,405,203,454.75
资产总计              2,854,097,929.00    8,894,099.84   2,862,992,028.84
  应交税费                4,015,957.74    7,715,655.21      11,731,612.95
流动负债合计            1,281,759,986.57    7,715,655.21   1,289,475,641.78
负债合计              1,418,574,673.10    7,715,655.21   1,426,290,328.31
  未分配利润             234,037,852.44    1,178,444.63     235,216,297.07
归属于母公司所有者权益合计     1,435,523,255.90    1,178,444.63   1,436,701,700.53
所有者权益合计           1,435,523,255.90    1,178,444.63   1,436,701,700.53
负债和所有者权益总计        2,854,097,929.00    8,894,099.84   2,862,992,028.84
                                                           单位:元
       项   目        调整前金额             调整金额            调整后金额
营业总收入             1,516,795,699.54    9,872,784.33   1,526,668,483.87
  其中:营业收入         1,516,795,699.54    9,872,784.33   1,526,668,483.87
营业总成本             1,418,313,594.02   11,348,972.58   1,429,662,566.60
  其中:营业成本         1,272,713,234.88     -471,170.53   1,272,242,064.35
  税金及附加              7,200,593.54      215,199.11       7,415,792.65
  管理费用              37,994,080.20    10,735,772.14     48,729,852.34
  财务费用              26,524,043.04      869,171.86      27,393,214.90
  投资收益(损失以“-”号填
                      -935,218.32     3,953,573.76      3,018,355.44
列)
营业利润(亏损以“-”号填列)    112,962,793.54     2,477,385.51    115,440,179.05
利润总额(亏损总额以“-”号填
列)
  所得税费用             11,965,003.83     1,436,873.65     13,401,877.48
净利润(净亏损以“-”号填列)    100,101,509.37     1,040,511.86    101,142,021.23
  归属于母公司所有者的净
利润(净亏损以“-”号填列)
(五)上述更正对 2020 年度财务报表影响
                                                           单位:元
       项   目       调整前金额             调整金额             调整后金额
  其他应收款            13,808,554.51    75,314,035.28      89,122,589.79
  存货              352,000,466.63     -3,748,336.87    348,252,129.76
流动资产合计           2,886,488,256.23   71,565,698.41    2,958,053,954.64
  固定资产           1,153,658,769.57   -49,833,910.49   1,103,824,859.08
  在建工程            343,029,443.98    -10,900,000.00    332,129,443.98
非流动资产合计          1,752,252,764.11   -60,733,910.49   1,691,518,853.62
资产总计             4,638,741,020.34   10,831,787.92    4,649,572,808.26
  应交税费              3,785,524.08    15,286,501.32      19,072,025.40
  其他应付款            77,107,187.62       180,000.00      77,287,187.62
流动负债合计           2,134,773,136.49   15,466,501.32    2,150,239,637.81
  递延收益             93,785,373.80     9,687,049.59     103,472,423.39
非流动负债合计           836,075,527.66     9,687,049.59     845,762,577.25
负债合计             2,970,848,664.15   25,153,550.91    2,996,002,215.06
  未分配利润           494,949,845.38    -14,500,950.47    480,448,894.91
归属于母公司所有者权益合计    1,573,443,055.42   -14,500,950.47   1,558,942,104.95
少数股东权益             94,449,300.77       179,187.48      94,628,488.25
所有者权益合计          1,667,892,356.19    -14321762.99    1,653,570,593.20
负债和所有者权益总计       4,638,741,020.34    10831787.92     4,649,572,808.26
                                                           单位:元
       项   目     调整前金额              调整金额              调整后金额
营业总收入            2,637,368,920.54     7,839,420.18     2,645,208,340.72
  其中:营业收入        2,637,368,920.54     7,839,420.18     2,645,208,340.72
营业总成本            2,652,441,087.68     8,960,932.67     2,661,402,020.35
  其中:营业成本        2,366,808,995.81     2,804,339.70     2,369,613,335.51
  税金及附加             8,648,077.49        667,214.22        9,315,291.71
  管理费用             78,834,839.59     10,051,709.17       88,886,548.76
  研发费用            125,853,116.40      -4,887,049.68     120,966,066.72
  财务费用             50,583,239.56        324,719.26       50,907,958.82
  其他收益            126,004,049.67      -9,687,049.59     116,317,000.08
    资产减值损失(损失以
                   -29,592,462.92      -715,380.55       -30,307,843.47
“-”号填列)
营业利润(亏损以“-”号填
列)
利润总额(亏损总额以“-”号
填列)
  所得税费用             7,865,325.65      1,265,601.06        9,130,926.71
净利润(净亏损以“-”号填
列)
归属于母公司所有者的净利
润(净亏损以“-”号填列)
少数股东损益(净亏损以“-”
号填列)
                                                              单位:元
        项 目        调整前金额                调整金额              调整后金额
  其他应收款             102,807,305.66     27,661,763.38      130,469,069.04
流动资产合计            1,806,939,291.45     27,661,763.38     1,834,601,054.83
  固定资产              652,647,311.32    -16,384,207.42      636,263,103.90
非流动资产合计           1,589,051,969.18    -16,384,207.42     1,572,667,761.76
资产总计              3,395,991,260.63     11,277,555.96     3,407,268,816.59
  应交税费                2,165,487.64     11,129,321.47        13,294,809.11
  其他应付款             308,478,279.04        180,000.00      308,658,279.04
流动负债合计            1,273,187,255.25    11,309,321.47     1,284,496,576.72
  递延收益               45,653,219.52     7,869,667.28        53,522,886.80
非流动负债合计             597,115,610.39     7,869,667.28       604,985,277.67
负债合计              1,870,302,865.64    19,178,988.75     1,889,481,854.39
  未分配利润             230,725,468.48    -7,901,432.79       222,824,035.69
归属于母公司所有者权益合计     1,525,688,394.99    -7,901,432.79     1,517,786,962.20
所有者权益合计           1,525,688,394.99    -7,901,432.79     1,517,786,962.20
负债和所有者权益总计        3,395,991,260.63    11,277,555.96     3,407,268,816.59
                                                             单位:元
       项   目      调整前金额              调整金额              调整后金额
营业总收入            1,462,786,869.50    6,318,900.88     1,469,105,770.38
  其中:营业收入        1,462,786,869.50    6,318,900.88     1,469,105,770.38
营业总成本            1,457,466,654.60    6,491,494.14     1,463,958,148.74
  其中:营业成本        1,301,335,168.07    -1,177,555.26    1,300,157,612.81
  税金及附加             5,073,416.90       254,290.97        5,327,707.87
  管理费用             46,121,077.81     7,090,039.17       53,211,116.98
  财务费用             39,041,473.55       324,719.26       39,366,192.81
  其他收益             35,544,203.43     -7,869,667.28      27,674,536.15
营业利润(亏损以“-”号填
列)
利润总额(亏损总额以“-”号
填列)
  所得税费用              -328,448.94     1,037,616.89          709,167.95
净利润(净亏损以“-”号填
列)
归属于母公司所有者的净利
润(净亏损以“-”号填列)
 (六)上述更正对 2021 年度财务报表影响
                                                          单位:元
        项 目      调整前金额              调整金额             调整后金额
 预付款项              14,361,642.91     -864,809.87       13,496,833.04
 其他应收款             23,758,723.08   96,657,951.10     120,416,674.18
 其他流动资产            35,456,832.45    -7,658,646.51      27,798,185.94
流动资产合计          2,363,519,132.29   88,134,494.72    2,451,653,627.01
 固定资产           1,707,990,484.07   -72,656,459.58   1,635,334,024.49
 在建工程            227,738,557.48    -10,900,000.00    216,838,557.48
 递延所得税资产           83,604,577.80    -1,682,499.57      81,922,078.23
非流动资产合计         2,433,747,509.90   -85,238,959.15   2,348,508,550.75
资产总计            4,797,266,642.19    2,895,535.57    4,800,162,177.76
 应交税费               6,567,731.06   11,384,171.69       17,951,902.75
 其他应付款             14,227,888.96      600,000.00       14,827,888.96
流动负债合计          2,484,246,466.02   11,984,171.69    2,496,230,637.71
 递延收益            138,072,529.03     8,593,500.89     146,666,029.92
非流动负债合计          628,047,749.33     8,593,500.89     636,641,250.22
负债合计            3,112,294,215.35   20,577,672.58    3,132,871,887.93
 未分配利润           172,647,309.96    -18,388,399.93    154,258,910.03
归属于母公司所有者权益合计   1,584,806,749.86   -18,388,399.93   1,566,418,349.93
 少数股东权益          100,165,676.98       706,262.92     100,871,939.90
所有者权益合计         1,684,972,426.84   -17,682,137.01   1,667,290,289.83
负债和所有者权益总计      4,797,266,642.19    2,895,535.57    4,800,162,177.76
                                                          单位:元
        项   目    调整前金额              调整金额             调整后金额
营业总收入           3,195,215,200.63    7,304,045.58    3,202,519,246.21
 其中:营业收入        3,195,215,200.63    7,304,045.58    3,202,519,246.21
营业总成本            3,471,397,592.48    13,744,360.18   3,485,141,952.66
  其中:营业成本        3,077,575,579.51    -1,485,707.76   3,076,089,871.75
  税金及附加             15,330,528.56       390,780.80      15,721,309.36
  管理费用             122,836,130.75    16,628,462.00     139,464,592.75
  研发费用             151,006,890.31    -1,853,704.12     149,153,186.19
  财务费用              68,824,176.67        64,529.26      68,888,705.93
  其他收益              44,900,240.76     1,093,548.70      45,993,789.46
    资产减值损失(损失以
                   -87,131,239.33     3,748,336.87      -83,382,902.46
“-”号填列)
营业利润(亏损以“-”号填
                  -319,170,000.54    -1,598,429.03    -320,768,429.57
列)
利润总额(亏损总额以“-”号
                  -332,962,582.94    -1,598,429.03    -334,561,011.97
填列)
  所得税费用            -49,420,628.95     1,761,944.97      -47,658,683.98
净利润(净亏损以“-”号填
                  -283,541,953.99    -3,360,374.00    -286,902,327.99
列)
归属于母公司所有者的净利润
                  -263,647,491.11    -3,887,449.49    -267,534,940.60
(净亏损以“-”号填列)
少数股东损益(净亏损以“-”
                   -19,894,462.88       527,075.49      -19,367,387.39
号填列)
                                                            单位:元
       项   目      调整前金额              调整金额             调整后金额
  其他应收款           196,989,041.16    23,417,565.67     220,406,606.83
  其他流动资产             7,264,455.05    -2,605,680.88       4,658,774.17
流动资产合计           1,628,576,983.38   20,811,884.79    1,649,388,868.17
  固定资产            790,989,986.19    -19,043,902.87    771,946,083.32
  递延所得税资产          34,570,045.48      -364,343.59      34,205,701.89
非流动资产合计          1,904,295,182.86   -19,408,246.46   1,884,886,936.40
资产总计             3,532,872,166.24    1,403,638.33    3,534,275,804.57
  应交税费              2,562,471.39     9,452,808.96      12,015,280.35
  其他应付款            48,207,662.57       600,000.00      48,807,662.57
流动负债合计           1,542,044,783.33    10,052,808.96     1,552,097,592.29
  递延收益             49,596,146.54      6,995,259.81       56,591,406.35
非流动负债合计           273,729,827.20      6,995,259.81      280,725,087.01
负债合计             1,815,774,610.53    17,048,068.77     1,832,822,679.30
  未分配利润           133,449,821.19     -15,644,430.44     117,805,390.75
归属于母公司所有者权益合

所有者权益合计          1,717,097,555.71    -15,644,430.44    1,701,453,125.27
负债和所有者权益总计       3,532,872,166.24     1,403,638.33     3,534,275,804.57
                                                              单位:元
       项   目       调整前金额                调整金额              调整后金额
营业总收入             1,977,157,877.21      5,307,964.58     1,982,465,841.79
  其中:营业收入         1,977,157,877.21      5,307,964.58     1,982,465,841.79
营业总成本             2,078,962,513.47     13,561,026.08     2,092,523,539.55
  其中:营业成本         1,894,405,456.70     -1,641,680.70     1,892,763,776.00
  税金及附加               7,026,319.61         99,715.53         7,126,035.14
  管理费用               50,618,612.58     15,038,462.00        65,657,074.58
  财务费用               38,272,771.55         64,529.26        38,337,300.81
  其他收益               27,169,668.91        874,407.47        28,044,076.38
营业利润(亏损以“-”号填
                    -98,680,373.79     -7,378,654.04      -106,059,027.83
列)
利润总额(亏损总额以“-”号
                   -100,672,035.43     -7,378,654.04      -108,050,689.47
填列)
所得税费用               -23,749,425.00        364,343.59       -23,385,081.41
净利润(净亏损以“-”号填
                    -76,922,610.43     -7,742,997.63       -84,665,608.06
列)
归属于母公司所有者的净利润
                    -76,922,610.43     -7,742,997.63       -84,665,608.06
(净亏损以“-”号填列)
 (七)上述更正对 2022 年 1-9 月财务报表影响
                                                         单位:元
       项   目    调整前金额              调整金额             调整后金额
 预付款项            18,112,643.14    -11,764,809.87      6,347,833.27
 其他应收款           21,577,688.51    100,747,105.49    122,324,794.00
流动资产合计         2,187,628,356.68    88,982,295.62   2,276,610,652.30
 固定资产          1,804,620,268.92   -67,493,542.50   1,737,126,726.42
 递延所得税资产         110659062.34       -1682499.57      108976562.77
非流动资产合计        2,733,066,856.82    -69176042.07     2663890814.75
资产总计           4,920,695,213.50     19806253.55     4940501467.05
 应交税费            21,588,225.03      19742368.48       41330593.51
 其他应付款           14,258,169.71       600,000.00      14,858,169.71
流动负债合计         2,136,240,689.96     20342368.48     2156583058.44
 递延收益           178,936,563.40      7,499,952.19    186,436,515.59
非流动负债合计         630,936,787.29      7,499,952.19    638,436,739.48
负债合计           2,767,177,477.25    27,842,320.67   2,795,019,797.92
 未分配利润           62,485,608.81    -10,054,566.87     52,431,041.94
归属于母公司所有者权益合

 少数股东权益         218,288,017.09      2,018,499.75    220,306,516.84
所有者权益合计        2,153,517,736.25    -8,036,067.12   2,145,481,669.13
负债和所有者权益总计     4,920,695,213.50    19,806,253.55   4,940,501,467.05
                                                         单位:元
       项 目      调整前金额               调整金额            调整后金额
营业总收入          2,180,055,267.49     4,176,424.37   2,184,231,691.86
 其中:营业收入       2,180,055,267.49     4,176,424.37   2,184,231,691.86
营业总成本          2,340,589,840.14    -4,376,096.79   2,336,213,743.35
  其中:营业成本        2,039,049,638.29    -6,064,439.03   2,032,985,199.26
  税金及附加            15,625,359.36        75,478.14       15,700,837.50
  管理费用             92,165,925.41     1,614,501.00       93,780,426.41
  财务费用             29,245,180.21         -1,636.90      29,243,543.31
  其他收益             43,822,818.19     1,093,548.70       44,916,366.89
营业利润(亏损以“-”号填
                 -127,533,460.57     9,646,069.86     -117,887,390.71
列)
利润总额(亏损总额以“-”号
                 -128,702,573.37     9,646,069.86     -119,056,503.51
填列)
净利润(净亏损以“-”号填
                 -111,039,361.04     9,646,069.86     -101,393,291.18
列)
归属于母公司所有者的净利润
                 -110,161,701.15     8,333,833.06     -101,827,868.09
(净亏损以“-”号填列)
少数股东损益(净亏损以“-”
                     -877,659.89     1,312,236.79         434,576.90
号填列)
                                                           单位:元
       项   目      调整前金额              调整金额             调整后金额
  其他应收款           178,564,607.99    27,244,176.11     205,808,784.10
流动资产合计           1,325,989,750.77   27,244,176.11    1,353,233,926.88
  固定资产            677,398,785.99    -17,284,661.00    660,114,124.99
  递延所得税资产          50,451,718.71      -364,343.58      50,087,375.13
非流动资产合计          2,716,118,198.64   -17,649,004.58   2,698,469,194.06
资产总计             4,042,107,949.41    9,595,171.52    4,051,703,120.93
  应交税费               3,473,360.06   12,721,527.52      16,194,887.58
  其他应付款           264,595,463.58       600,000.00     265,195,463.58
流动负债合计           1,676,486,298.15   13,321,527.52    1,689,807,825.67
  递延收益             55,623,447.03     6,120,852.34      61,744,299.37
非流动负债合计           230,045,219.75     6,120,852.34     236,166,072.09
负债合计             1,906,531,517.90   19,442,379.86    1,925,973,897.76
  未分配利润            82,444,026.54     -9,847,208.34       72,596,818.2
归属于母公司所有者权益合计          2,135,576,431.51   -9,847,208.34   2,125,729,223.17
所有者权益合计                2,135,576,431.51   -9,847,208.34   2,125,729,223.17
负债和所有者权益总计             4,042,107,949.41    9,595,171.52   4,051,703,120.93
                                                                 单位:元
      项     目           调整前金额             调整金额             调整后金额
营业总收入                  1,510,924,295.48   4,548,207.56    1,515,472,503.04
   其中:营业收入             1,510,924,295.48   4,548,207.56    1,515,472,503.04
营业总成本                  1,597,039,680.52    -374,607.05    1,596,665,073.47
   其中:营业成本             1,487,970,509.92   -1,759,241.86   1,486,211,268.06
   税金及附加                  8,723,463.74       71,770.72       8,795,234.46
   管理费用                  32,994,952.63    1,314,501.00      34,309,453.63
   财务费用                   9,068,542.00        -1,636.90      9,066,905.10
   其他收益                  20,332,387.83      874,407.47      21,206,795.30
营业利润(亏损以“-”号填
                         -66,202,783.77   5,797,222.08      -60,405,561.69
列)
利润总额(亏损总额以“-”号
                         -66,915,694.60   5,797,222.08      -61,118,472.52
填列)
净利润(净亏损以“-”号填
                         -51,005,794.65   5,797,222.08      -45,208,572.57
列)
归属于母公司所有者的净利润
                         -51,005,794.65   5,797,222.08      -45,208,572.57
(净亏损以“-”号填列)
  三、会计师事务所就财务报表更正事项的专项说明
  容诚会计师事务所(特殊普通合伙)对公司前期会计差错更正事项出具了《关
于弘信电子科技集团股份有限公司会计差错更正的专项说明的专项说明》(容诚
专字[2023]361Z0442 号)。
  四、董事会关于前期会计差错更正的说明
  公司董事会认为:本次会计差错更正事项符合《企业会计准则第 28 号—会
计政策、会计估计变更和差错更正》、中国证券监督管理委员会《公开发行证券
的公司信息披露编报规则第 19 号—财务信息的更正及相关披露》等有关规定和
要求,更正后的财务数据和财务报表更加客观公允地反映了公司的财务状况和经
营成果,有利于提高公司财务信息质量。董事会同意本次会计差错更正事项。
 五、独立董事意见
  公司独立董事认为:本次会计差错更正是基于客观公允地反映公司实际经营
情况和财务状况的主旨,符合《企业会计准则第 28 号—会计政策、会计估计变
更和差错更正》、中国证券监督管理委员会《公开发行证券的公司信息披露编报
规则第 19 号—财务信息的更正及相关披露》等相关文件的规定,更正后的信息
能够更加客观、公允地反映公司的财务状况和经营成果,不存在损害公司利益及
广大中小股东合法权益的情形,董事会关于本次会计差错更正事项的审议和表决
程序符合法律、法规以及《公司章程》等的有关规定,我们一致同意本次会计差
错更正事项。
 六、监事会意见
 公司监事会认为:本次前期会计差错更正符合《企业会计准则第 28 号—会
计政策、会计估计变更和差错更正》、中国证券监督管理委员会《公开发行证券
的公司信息披露编报规则第 19 号—财务信息的更正及相关披露》等相关文件的
规定,能够更加客观、公允地反映公司财务状况和经营成果。本次会计差错更正
事项的决策 程序符合法律、法规和《公司章程》等相关规定,不存在损害公司
及股东权益的情况。监事会同意本次前期会计差错更正事项。
 七、备查文件
明。
  特此公告。
                      厦门弘信电子科技集团股份有限公司
       董 事 会

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